The Inventing Press

Xometry, Inc.

Financial highlights

MetricFY 12/31/25FY 12/31/24FY 12/31/23FY 12/31/22FY 12/31/21
Income Statement
Revenue$686.6M$545.5M$463.4M$380.9M$218.3M
Cost of revenue$417.9M$329.9M$285.1M$234.9M$161.2M
Gross profit$268.8M$215.6M$178.3M$146.0M$57.1M
Research and development$46.8M$39.3M$34.5M$31.0M$17.8M
Operating expenses$314.3M$271.8M$251.8M$223.1M$115.8M
Operating income-$45.5M-$56.1M-$73.6M-$77.1M-$58.7M
Interest expense$4.8M$4.4M$852,000
Pretax income-$61.2M-$50.4M-$67.8M-$79.0M-$61.4M
Income tax expense$589,000-$21,000-$353,000$36,000$0
Net income-$61.7M-$50.4M-$67.5M-$79.1M-$61.4M
Balance Sheet
Cash and equivalents$15.0M$22.2M$53.4M$65.7M$86.3M
Current assets$334.6M$327.5M$356.2M$387.2M$163.4M
Total assets$703.7M$680.1M$707.4M$734.1M$502.6M
Current liabilities$88.9M$74.8M$83.2M$64.0M$57.0M
Total liabilities$427.0M$364.5M$377.0M$362.3M$77.1M
Total debt$335.8M
Stockholders' equity$275.6M$314.5M$329.3M$370.7M$424.4M
Cash Flow Statement
Cash from operations$6.1M-$15.4M-$29.9M-$62.6M-$68.6M
Depreciation and amortization$18.8M$13.0M$10.7M$7.8M$3.6M
Stock-based compensation$36.4M$29.3M$22.1M$19.2M$7.4M
Capital expenditure$30.2M$18.1M$18.5M$13.7M$6.3M
Free cash flow-$24.1M-$33.5M-$48.4M-$76.2M-$74.8M
Share repurchases$8.1M$0$0
Impairments$49,000$82,000$397,000$824,000

Shares outstanding 52.6M · Free float 90.9%

Annual filing data through FY ended December 31, 2025; float as of July 14, 2026.